ANALYSIS OF THE FINANCIAL INTERMADIATION ON THE STAGE OF THE XX AND XXI CENTURIES CRISIS

被引:0
作者
Garcia Diaz, Carlos Mario [1 ]
Cardenas Sanchez, Giovanny Alexander [2 ]
Molina Rodriguez, Carlos Hernando [2 ]
机构
[1] Univ Piloto Colombia, Girardot, Colombia
[2] Univ Piloto Colombia, Programa Ingn Financiera, ARISTOS, Girardot, Colombia
来源
SOPHIA-EDUCACION | 2011年 / 7卷 / 01期
关键词
Financial intermediation; information asymmetry; adverse selection; duplicated screening; moral hazard; intermediation margin; financial repression; bank crisis; activate rate;
D O I
暂无
中图分类号
G40 [教育学];
学科分类号
040101 ; 120403 ;
摘要
Ithis document is intended to study the concept of financial intermediation and the background of the same in the environment of some financial crisis made during the XX and XXI centuries. The first part presents a brief theoretical framework of financial intermediation, from the point of view of asymmetric information, financial innovation and risk management; and also explains the concept of financial intermediation margin. The second part describes some of the major financial crises given in the XX and XXI centuries, national and international, in order to analyze the performance of financial intermediation during development. It also establishes relations and influence degree between the financial policies and the behaviour of intermediaries.
引用
收藏
页码:106 / 128
页数:23
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